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{"id":2209,"date":"2020-11-01T11:00:12","date_gmt":"2020-11-01T11:00:12","guid":{"rendered":"https:\/\/sarpv.org\/?p=2209"},"modified":"2021-07-01T09:14:46","modified_gmt":"2021-07-01T09:14:46","slug":"finance-officer","status":"publish","type":"post","link":"https:\/\/sarpv.org\/finance-officer\/","title":{"rendered":"Position Name: Finance Officer"},"content":{"rendered":"

Vacancy Announcement<\/strong><\/h2>\n

Position Name:<\/strong> Finance Officer
\nVacancy:<\/strong> 1<\/p>\n

Job Context:<\/strong> Social Assistance and Rehabilitation for the Physically Vulnerable (SARPV) is a non-government, non-political, Bangladeshi organization under it\u2019s Health & Nutrition program providing lifesaving health & nutrition support to the displaced people arriving from the Rakhine state of Myanmar and the host community people of Cox\u2019s Bazar. As part of its Health & Nutrition interventions in support with Concern Worldwide, SARPV will implement multi-sectoral PRM project titled \u201cDelivering Health, Nutrition and Livelihood, and Protection services for Rohingya Refugees and vulnerable host communities in Cox\u2019s Bazar, Bangladesh\u201d <\/strong>from November 2020.<\/p>\n

Job purpose:<\/strong><\/p>\n

As a member of the Field Finance at the Ukhiya office, the Accounts and Finance Officer is responsible for ensuring efficient and effective financial support to the projects and programmes, ensuring adequate funds, timely and professional payment to staff and suppliers and accurate and transparent financial records following all organizational policies and legal requirements.<\/p>\n

Job responsibilities: <\/strong><\/p>\n

    \n
  1. Financial Management<\/strong><\/li>\n<\/ol>\n
      \n
    • Take initiative that that staff understands the payment and advance receiving procedures, timing, templates and required documentation.<\/li>\n
    • Ensuring effective review and thorough checking of all payment request in line with the financial and taxation policy, taking initiative to query any missing documentation or unusual transactions; ensuring all payments are processed and by finance in a timely way, to ensure they adhere to organizational policy and all taxation matters follow government rules and regulations.<\/li>\n
    • Completing accurate preparation of voucher, cheque and fund transfer advice for all payments and advances, ensuring proper and complete supporting documentation, following finance policy in all respects, accurate coding and with approval from all relevant colleagues.<\/li>\n
    • Maintain update supplier status, adjust advance against staff\/suppliers<\/li>\n
    • Disburse cash, cheques and payment advice in a timely way to payees with utmost accuracy and professionalism; proactively keeping close contact with bank and respective recipients so that partners and suppliers receive their funds timely and any problems are minimized.<\/li>\n
    • Ensuring all receipts of cash, cheque and fund transfer are properly provided with receipt documentation and are banked and recorded in a timely way by following govt. policy.<\/li>\n
    • Complete Physical cash distribution to field\/camp with proper support and security<\/li>\n
    • Ensuring complete, well-organized and clearly labelled filling and safe storage of all financial documents.<\/li>\n
    • Taking the initiative to ensure the cash and bankbooks reflect the correct coding and appropriate narrations, questioning any unusual or unexpected transactions.<\/li>\n
    • Prepare schedule for Vat\/Tax; submit statement and challan to Govt. Treasury. Have to prepare statement for Tax\/VAT to provide for Dhaka office<\/li>\n
    • Ensuring that at all times the cash in hand is held safely and securely and agrees with the balance in the cash book, including counting the full cash in hand on a daily basis, and cooperating with other spot checks or counts by another staff member.<\/li>\n
    • Reconciling the balances with bank and cash counts and ensuring any identified issues are adjusted for according to best practice and finance policy.<\/li>\n
    • Ensure the completed books of account and supporting reconciliations with other required information is sent to Dhaka Head Office according to the set deadlines.<\/li>\n
    • Work with colleagues in Field Office to respond promptly to resolve any queries or questions.<\/li>\n<\/ul>\n
        \n
      1. Audit Management<\/strong><\/li>\n<\/ol>\n
          \n
        • Manage and facilitate the process for internal audit, external audit, government audit for each grant following SARPV guideline, audit in a timely manner with proper document and clarification so that it is helpful for the grant management of the organization<\/li>\n
        • Assist field office for the grant audit by the donor, external auditor of other internal audit.<\/li>\n
        • Draft the management comments on auditor observation at Field Level and submit to the Field Accounts Manager for further review of the audit report.<\/li>\n
        • Prepare the financial statement for auditor.<\/li>\n
        • Coordinate with the partner, field office, and provide required support for the external auditor.<\/li>\n
        • Follow up with the auditor observation, implement the auditor\u2019s recommendation for Field Office and update to the management on this.<\/li>\n<\/ul>\n
            \n
          1. Financial monitoring and banking operation<\/strong><\/li>\n<\/ol>\n
              \n
            • Ensuring adequate funds are available for field office operations and partners to enable smooth implementation of programme activities.<\/li>\n
            • Ensuring that cash flow forecasting is prepared by Programme on a timely basis and submit to HO using the prescribed formats according to the deadline.<\/li>\n
            • Maintain close liaison with HO and SARPV bank to ensure funds are available according to the need.<\/li>\n
            • Ensuring receipt of all funds is properly acknowledged in a timely way from Dhaka office.<\/li>\n
            • Keeping signatory information up to date, arranging relevant documents and collecting signatures where staff leave or join the organization. Taking the initiative to ensure continued banking operations are available at all times.<\/li>\n
            • Support in preparation of budget by correlation with different project staffs<\/li>\n
            • Ensuring all necessary information relating to bank and cash is provided to Head Office as required, including yearend bank information and bank reconciliation to HO to fulfil Dublin requirement.<\/li>\n<\/ul>\n
                \n
              1. Inventory and fixed asset management<\/strong><\/li>\n<\/ol>\n
                  \n
                • To enable fixed assets to be properly tracked and controlled and complying with legal requirements. Including, but not limited to:<\/li>\n
                • Providing fixed assets purchasing related information in a timely way to administration team to ensure their records are complete.<\/li>\n
                • Support Administration and Head Office to review implementation of fixed asset policies and be part of the periodic fixed assets verification process.<\/li>\n
                • Ensuring up to date knowledge on the field based legal financial requirements and ensure all requirement are addressed and fulfilled accordingly.<\/li>\n<\/ul>\n
                    \n
                  1. Internal Control and Compliance <\/strong><\/li>\n<\/ol>\n